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富邦美債1-3〈00694B.TW〉
富邦美債1-3(00694B.TW)-全部持股
資料日期:2025/12/18
個股名稱投資比例(%)持有股數
T 1 1/2 01/31/271.60N/A
T 4 1/8 02/28/271.51N/A
T 4 1/4 12/31/261.47N/A
T 3 7/8 05/31/271.47N/A
T 4 1/4 11/30/261.43N/A
T 3 1/2 09/30/271.42N/A
T 3 1/2 10/31/271.42N/A
T 3 7/8 03/31/271.38N/A
T 3 3/4 06/30/271.38N/A
T 3 3/4 04/30/271.38N/A
T 3 5/8 08/31/271.38N/A
T 1 1/8 02/29/281.35N/A
T 4 1/2 04/15/271.31N/A
T 4 1/8 01/31/271.30N/A
T 3 7/8 07/31/271.30N/A
T 3 3/8 09/15/271.29N/A
T 4 1/8 11/15/271.29N/A
T 4 1/4 02/15/281.27N/A
T 4 1/4 01/15/281.27N/A
T 4 12/15/271.26N/A
T 3 7/8 07/15/281.26N/A
T 3 3/4 08/15/271.26N/A
T 3 3/8 09/15/281.25N/A
T 2 7/8 05/15/281.23N/A
T 2 7/8 08/15/281.23N/A
T 4 3/8 07/15/271.22N/A
T 0 3/4 01/31/281.22N/A
T 4 1/4 03/15/271.22N/A
T 3 3/4 05/15/281.22N/A
T 1 1/4 09/30/281.22N/A
T 3 5/8 08/15/281.21N/A
T 4 1/8 02/15/271.20N/A
T 1 1/4 11/30/261.19N/A
T 1 1/4 04/30/281.19N/A
T 1 1/4 05/31/281.19N/A
T 1 1/4 06/30/281.18N/A
T 3 7/8 03/15/281.18N/A
T 3 3/4 04/15/281.17N/A
T 2 3/8 05/15/271.16N/A
T 3 1/8 11/15/281.15N/A
T 4 5/8 06/15/271.14N/A
T 4 01/15/271.14N/A
T 4 1/2 05/15/271.14N/A
T 3 7/8 10/15/271.13N/A
T 3 1/2 11/15/281.13N/A
T 2 1/2 03/31/271.11N/A
T 1 1/4 03/31/281.11N/A
T 2 3/4 02/15/281.11N/A
T 4 3/8 12/15/261.11N/A
T 1 1/4 12/31/261.10N/A
T 1 1/8 08/31/281.10N/A
T 4 7/8 10/31/281.08N/A
T 4 5/8 09/30/281.07N/A
T 3 7/8 06/15/281.05N/A
T 3 1/2 10/15/281.04N/A
T 2 5/8 05/31/271.04N/A
T 0 5/8 12/31/271.02N/A
T 1 7/8 02/28/271.02N/A
T 1 07/31/281.02N/A
T 4 02/29/280.99N/A
T 2 3/4 07/31/270.99N/A
T 1 3/8 10/31/280.98N/A
T 4 06/30/280.97N/A
T 2 3/4 04/30/270.97N/A
T 4 1/8 09/30/270.97N/A
T 3 5/8 03/31/280.96N/A
T 2 1/4 02/15/270.95N/A
T 0 3/8 09/30/270.95N/A
T 2 1/4 08/15/270.94N/A
T 3 1/4 06/30/270.93N/A
T 0 3/8 07/31/270.91N/A
T 0 5/8 11/30/270.91N/A
T 2 1/4 11/15/270.90N/A
T 0 1/2 10/31/270.87N/A
T 4 3/8 08/31/280.85N/A
T 4 1/8 07/31/280.85N/A
T 4 1/8 10/31/270.84N/A
T 3 7/8 12/31/270.84N/A
T 3 7/8 11/30/270.84N/A
T 3 5/8 05/31/280.84N/A
T 3 1/2 04/30/280.83N/A
T 3 1/2 01/31/280.83N/A
T 3 1/8 08/31/270.83N/A
T 0 1/2 08/31/270.79N/A
T 0 1/2 06/30/270.76N/A
T 0 1/2 04/30/270.70N/A
T 0 1/2 05/31/270.68N/A
T 1 5/8 11/30/260.51N/A
T 1 3/4 12/31/260.49N/A
T 0 5/8 03/31/270.47N/A
T 1 1/8 02/28/270.32N/A
T 5 1/4 11/15/280.17N/A
T 6 1/8 11/15/270.17N/A
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一、 績效計算為原幣別報酬,且皆有考慮配息情況。基金配息率不代表基金報酬率,且過去配息率不代表未來配息率。所有基金績效,均為過去績效,不代表未來之績效表現,亦不保證基金之最低投資收益。
二、 基金淨值可能因市場因素而上下波動,基金淨值僅供參考,實際以基金公司公告之淨值為準;海外市場指數類型基金,以交易日當天收盤價為淨值參考價。
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四、 上述資料只供參考用途,嘉實資訊自當盡力提供正確訊息,但如有錯漏或疏忽,本公司或關係企業與其任何董事或任何受僱人,恕不負任何法律責任。
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